info website equity

NAV

NAV 25-04-2024
Value
Equity Fund
1.484,7620
Managed Fund
3.000,8820
Safe Link Plus
3.602,0862
Stable Link
7.307,5787
Steady Fund
4.908,9127
Steady Fund USD
0,201927
Balanced Fund
1.544,3217
NAV 24-04-2024
Value
Equity Fund
1.494,6882
Managed Fund
3.017,5522
Safe Link Plus
3.604,0571
Stable Link
7.308,3957
Steady Fund
4.922,9178
Steady Fund USD
0,202083
Balanced Fund
1.551,0868
NAV 23-04-2024
Value
Equity Fund
1.487,9804
Managed Fund
3.007,6558
Safe Link Plus
3.603,4747
Stable Link
7.307,1441
Steady Fund
4.914,5650
Steady Fund USD
0,202030
Balanced Fund
1.550,1417